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© 2015

European Real Estate

Asset Class Performance and Optimal Portfolio Construction

  • Gianluca Mattarocci
  • Dilek Pekdemir
Book

Table of contents

  1. Front Matter
    Pages i-xv
  2. Gianluca Mattarocci, Dilek Pekdemir
    Pages 1-4
  3. Dilek Pekdemir
    Pages 5-42
  4. Angelo Marinangeli, Albana Nako
    Pages 67-83
  5. Aamir Inam Bhutta, Marco Migliorelli
    Pages 84-98
  6. Aamir Inam Bhutta, Marco Migliorelli
    Pages 99-121
  7. Angelo Marinangeli, Albana Nako
    Pages 122-140
  8. Gianluca Mattarocci
    Pages 154-182
  9. Gianluca Mattarocci, Dilek Pekdemir
    Pages 197-198
  10. Back Matter
    Pages 199-200

About this book

Introduction

This book provides a thorough overview of the European real estate Market. It evaluates the performance difference between countries and sectors, and what implications this has for optimal investment strategy within real estate asset classes.

Keywords

European Real estate performance diversification portfolio allocation asset allocation Investment logistics Portfolio Real Estate strategy

Editors and affiliations

  • Gianluca Mattarocci
    • 1
  • Dilek Pekdemir
    • 2
  1. 1.University of Rome Tor VergataItaly
  2. 2.Cushman & WakefieldTurkey

About the editors

Gianluca Mattarocci (MA and PhD), Lecturer of Financial Markets and Institutions at the University of Rome Tor Vergata, Department of Economics and Finance. His main research topics attain to the credit risk management and the real estate finance.


Dilek Pekdemir (MSc and PhD), Director of research at Cushman & Wakefield Turkey, ?stanbul and part-time lecturer at Istanbul Technical University, Real Estate Development Master Progromme. Her main research topics; real estate markets, real estate investment, mathematical modelling, real estate market analysis.

Bibliographic information

Industry Sectors
Finance, Business & Banking